Keenan Capital manages investments on a discretionary basis for Keenan Capital Fund, LP, a pooled investment vehicle intended for accredited investors and qualified purchasers. Keenan makes investment decisions for the fund based on specific investment objectives and strategies outlined in the fund's offering documents.
Keenan Capital manages investments for a private investment fund. The fund pays Keenan a quarterly management fee, generally equal to 1.00% annualized, paid in advance. The general partner is also entitled to a performance allocation equal to 20% of the annual increase, if any, in the net asset value of each investor’s capital account in the Fund.